Understanding statistics is essential to understand research in the social and behavioral sciences. In this course you will learn the basics of statistics; not just how to calculate them, but also how to evaluate them. This course will also prepare you for the next course in the specialization - the course Inferential Statistics.
In the first part of the course we will discuss methods of descriptive statistics. You will learn what cases and variables are and how you can compute measures of central tendency (mean, median and mode) and dispersion (standard deviation and variance). Next, we discuss how to assess relationships between variables, and we introduce the concepts correlation and regression.
The second part of the course is concerned with the basics of probability: calculating probabilities, probability distributions and sampling distributions. You need to know about these things in order to understand how inferential statistics work.
The third part of the course consists of an introduction to methods of inferential statistics - methods that help us decide whether the patterns we see in our data are strong enough to draw conclusions about the underlying population we are interested in. We will discuss confidence intervals and significance tests.
You will not only learn about all these statistical concepts, you will also be trained to calculate and generate these statistics yourself using freely available statistical software.

From the lesson

Probability Distributions

Probability distributions form the core of many statistical calculations. They are used as mathematical models to represent some random phenomenon and subsequently answer statistical questions about that phenomenon. This module starts by explaining the basic properties of a probability distribution, highlighting how it quantifies a random variable and also pointing out how it differs between discrete and continuous random variables. Subsequently the cumulative probability distribution is introduced and its properties and usage are explained as well. In a next lecture it is shown how a random variable with its associated probability distribution can be characterized by statistics like a mean and variance, just like observational data. The effects of changing random variables by multiplication or addition on these statistics are explained as well.The lecture thereafter introduces the normal distribution, starting by explaining its functional form and some general properties. Next, the basic usage of the normal distribution to calculate probabilities is explained. And in a final lecture the binomial distribution, an important probability distribution for discrete data, is introduced and further explained. By the end of this module you have covered quite some ground and have a solid basis to answer the most frequently encountered statistical questions. Importantly, the fundamental knowledge about probability distributions that is presented here will also provide a solid basis to learn about inferential statistics in the next modules.